Kinder Morgan
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
20.4319.0817.4816.60
Price/Sales ratio
3.403.183.593.52
Earnings per Share (EPS)
$1.29$1.38$1.51$1.59

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
46.8896.8265.23220.1921.1821.88171.8620.1416.0216.4823.7621.18
Price/Sales ratio
2.962.263.532.942.403.622.642.162.122.563.982.40
Price/Book Value ratio
1.410.921.341.191.011.420.981.161.321.301.981.01
Price/Cash Flow ratio
10.766.159.648.756.7510.096.796.298.216.079.246.75
Price/Free Cash Flow ratio
56.5923.1924.2428.5116.0819.3410.888.1112.209.5015.2619.34
Price/Earnings Growth ratio
-2.15-1.160.57-2.960.020.69-1.870.020.36-3.070.230.02
Dividend Yield
3.65%12.94%2.75%3.16%5.20%4.51%7.63%6.79%6.13%6.41%4.21%4.51%
Profitability Indicator Ratios
Gross Profit Margin
87.42%55.39%56.29%51.79%52.50%57.04%59.75%48.05%40.41%49.49%46.26%57.04%
Operating Profit Margin
27.41%18.20%27.35%25.85%26.82%12.21%27.86%24.25%9.45%27.80%28.66%26.82%
Pretax Profit Margin
19.04%6.57%12.54%15.76%17.71%23.96%5.64%13.35%17.36%20.87%22.02%17.71%
Net Profit Margin
6.32%2.33%5.42%1.33%11.37%16.57%1.53%10.74%13.27%15.59%16.74%11.37%
Effective Tax Rate
20.96%64.62%55.98%89.68%23.42%29.25%72.76%16.62%21.28%22.33%20.83%29.25%
Return on Assets
1.23%0.40%0.88%0.23%2.04%2.95%0.25%2.53%3.63%3.36%3.58%2.04%
Return On Equity
3.01%0.95%2.05%0.54%4.77%6.49%0.57%5.78%8.28%7.88%8.36%4.77%
Return on Capital Employed
5.78%3.31%4.80%4.86%5.32%2.33%4.87%6.23%2.87%6.68%6.57%5.32%
Liquidity Ratios
Current Ratio
0.580.690.540.430.750.630.63N/AN/AN/A0.460.63
Quick Ratio
0.530.470.480.370.700.570.560.560.450.270.340.57
Cash ratio
0.040.040.110.040.430.030.230.190.100.010.020.03
Days of Sales Outstanding
36.9133.3238.2942.9538.6537.8540.3335.4034.9737.7930.4437.85
Days of Inventory outstanding
82.1223.1222.8323.4220.9123.8626.9723.7720.2224.7423.5520.91
Operating Cycle
119.0356.4461.1266.3859.5761.7267.3159.1755.2062.5453.9961.72
Days of Payables Outstanding
284.1267.7280.3974.0372.6458.7964.8753.2646.0664.3756.2558.79
Cash Conversion Cycle
-165.08-11.27-19.26-7.65-13.062.922.435.919.13-1.83-2.25-13.06
Debt Ratios
Debt Ratio
0.510.510.490.470.470.460.480.470.450.450.450.46
Debt Equity Ratio
1.251.221.161.121.101.011.101.081.031.051.051.01
Long-term Debt to Capitalization
0.540.540.520.510.500.480.500.490.480.480.490.48
Total Debt to Capitalization
0.550.550.530.520.520.500.520.510.500.510.510.50
Interest Coverage Ratio
2.622.202.191.942.062.18N/AN/AN/AN/A3.132.06
Cash Flow to Debt Ratio
0.100.120.110.120.130.130.130.170.150.200.200.13
Company Equity Multiplier
2.442.392.332.352.342.192.282.282.272.342.332.33
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.270.360.360.330.350.350.380.340.250.420.430.35
Free Cash Flow / Operating Cash Flow Ratio
0.190.260.390.300.420.520.620.770.670.630.600.42
Cash Flow Coverage Ratio
0.100.120.110.120.130.130.130.170.150.200.200.13
Short Term Coverage Ratio
1.646.451.771.621.481.911.772.151.461.603.291.48
Dividend Payout Ratio
171.54%1253.41%179.66%697.26%110.25%98.76%1312.22%136.93%98.27%105.77%100.23%98.76%